You have a bank account in foreign currency. During the period you have posted various deposits to and withdrawals from the account. After the foreign currency valuation run, how does the system evaluate the balance of this account?
SAP's release naming convention typically follows a year and release number format. For the second feature delivery in February 2025, the correct release code would be '2025.2', indicating the year 2025 and the second release within that year.
References:
SAP S/4HANA Cloud release strategy documentation
SAP S/4HANA Cloud updates and release information
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